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KBC Groupe NV — Investor Relations & Filings

Ticker · KBC ISIN · BE0974485170 LEI · 213800X3Q9LSAKRUWY91 BR Financial and insurance activities
Filings indexed 1,448 across all filing types
Latest filing 2026-03-12 Fund Information / Fact…
Country BE Belgium
Listing BR KBC

About KBC Groupe NV

https://www.kbc.com/en.html

KBC Groupe NV is an integrated bank-insurance group catering primarily to retail clients, private banking customers, small and medium-sized enterprises (SMEs), and mid-cap companies. The group provides a comprehensive range of financial services through a universal multi-channel model. Core activities include retail and private banking, lending, deposits, payments, asset management, and insurance. Operating under a bancassurance model, KBC aims to be a reference in its core markets by providing solutions that help clients realize and protect their financial projects and goals.

Recent filings

Filing Released Lang Actions
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 95% confidence The document is a monthly report for a specific investment fund ('K&H iram felelős befektetés'). It contains key performance indicators, asset allocation, risk classification, and a management commentary on the fund's performance for the month of February 2026. This aligns with the definition of a Fund Information/Factsheet (FS), which provides a summary of key company/fund facts, financials, and market info.
2026-03-12 Hungarian
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 100% confidence The document is a monthly report ('havi jelentés') for an investment fund ('K&H Európa I befektetési jegy'). It provides detailed information on the fund's investment policy, asset composition, performance metrics, and risk classification. This aligns with the definition of a Fund Information/Factsheet (FS), which summarizes key company/fund facts and financial performance.
2026-03-12 Hungarian
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 95% confidence The document is a monthly report ('havi jelentés') for a K&H investment fund. It provides specific details on the fund's investment policy, portfolio composition, risk classification, performance metrics, and net asset value (NAV) data. It is a periodic summary document typical for investment funds, which falls under the 'Fund Information / Factsheet' category.
2026-03-12 Hungarian
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 95% confidence The document is a monthly report ('havi jelentés') for an investment fund ('K&H ázsia „I” befektetési jegy'). It provides key performance indicators, portfolio composition, risk classification, and historical returns for the fund. This type of document is a standard periodic update for investment funds, which falls under the 'Fund Information / Factsheet' category as it summarizes the fund's status and performance for investors.
2026-03-12 Hungarian
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 100% confidence The document is a monthly report ('havi jelentés') for a specific investment fund ('K&H aranykosár'). It provides key performance indicators, portfolio composition, risk classification, and net asset value (NAV) data for the fund as of February 2026. This aligns with the definition of a Fund Information/Factsheet (FS), which summarizes key company/fund facts and financials.
2026-03-12 Hungarian
K&H nyíltvégű befektetési alapok havi jelentései 2026.02.28
Fund Information / Factsheet Classification · 95% confidence The document is a monthly report for a specific investment fund ('K&H aranykosár felelős befektetés'). It provides key performance indicators, portfolio composition, risk classification, and net asset value (NAV) data for the period ending 2026.02.27. While it contains performance data, it is a summary factsheet/report for an investment fund rather than a full annual report or a regulatory filing. Given the specific nature of fund reporting, 'FS' (Fund Information / Factsheet) is the most accurate classification.
2026-03-12 Hungarian

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